Even though the session has not been closed yet, you can view the report whatever you want during the opened session.
Note |
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If you want to have X-Report features, you must follow How to Enable Session Management |
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On POS screen
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> Goto the menu
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> Session Management
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> X-Report
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.
FIELD NAME | DESCRIPTION |
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Net Amount | Display net amount in your session. |
Cash difference | Display the different amount between real closing amount & theoretical closing amount. |
#CASH | |
Opening Balance | Display Opening Balance of session that inputted by Staff. |
Closing Balance | Display Closing amount of session that inputted by Staff (real closing amount). |
Theoretical | Display theoretical closing amount. |
Cash Difference | Display the different amount between real closing amount & theoretical closing amount. |
Cash Sales | Display Cash Amount that cashier has received from customer except for Change Amount, including checkout process & take payment process. |
Cash Refund | Display Cash Amount that cashier refunded to customer, in Refund process. |
Pay Ins | Display the cash amount that cashier PUT IN cash drawer in his session. |
Pay Outs | Display the cash amount that cashiers TAKE OUT cash drawer in their session |
#PAYMENT | |
Payment method name | List all payment method name & its value that is occurred in session, including: |
#SALES | |
Total amount | The amount is sum of amount of all payment method that you received in your session. |
Refund amount | The amount is sum of amount of all payment method that you paid back to customer according to the Refund process in your session. |
Net amount | Formula: Net Amount = [Total Amount] – [Refund Amount] |
Printed at: | Display time the report is printed. |